Separate or combine debits and credits to your bank accounts

You can choose whether you'd like to see your daily summary of transactions from your bank account in a combined view or individually.

  1. Select Settings in your BILL account.
  2. Select Bank Accounts under Bank & Payment Accounts
  3. Select the edit icon.
  4. Select your bank statement preference for payables and receivables.
  5. Select Save.


The change will take effect the next business day.


Note: By separating debits/credits to your bank, you'll no longer use a BILL Money Out/Money In clearing account.